| Real-time reconciliation Efficiently process all transaction and account types with an automated solution that allows you to collect data effortlessly from internal or external sources, while lowering error rates and gaining the operational efficiencies automation can provide. |
| Automated matching Match transactions based on the criteria you specify – including one-to-one, one-to-many and many-to-many items – for any type of monetary and account item in the system. Reduce write-offs with workflow-driven exception identification, automatic aging and defined escalation paths. |
| Account certification Access a single, accurate view of the entire balance sheet, helping you achieve a clean audit trail and reduce audit costs by providing fully auditable, electronic access to accounts and approval, while meeting compliance and regulatory requirements. |
| Proven provider Rely on the experience of a partner with thousands of biller and financial institution clients to provide industry-leading security and ensure compliance with evolving regulatory requirements. |